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REQUIRED: Prepare a bank reconciliation as of September 3|], using th given in your study unit on the 1work sheet provided at the back of
REQUIRED: Prepare a bank reconciliation as of September 3|], using th given in your study unit on the 1work sheet provided at the back of this complete questions 1 through 4 on the answer sheet. DO NOT send th: sheet to us. 1. The adjusted cash balance is A. $9,519.99. c. $9,299.29. 9. $9,993.59. D. $19,932.49. 2. Additions to the balance per books total A. $1,519.99. c. $4,232.39. 9. $4,919.99. 9. $5,399.91. 3. The total deductions from the balance per bank statement are A. $352.29. c. $1,321.91. 9. $1,192.49. 9. $1,229.91
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